Municipal Elections. Revenue and Spending Changes, 1993 Fall 2017 Ballots

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1 Aguilar Akron de-brucing of mill levy revenues for municipal services Alamosa Lump sum revenue change for Lump sum revenue change in 1996, 1997, 1998 and 1999 Alma from all sources Antonito Arriba Arvada Aspen except property tax Excess 1996 property tax revenues for neighborhood improvement projects $158,275 excess property tax revenues for pedestrian improvements Retain excess estimated $545,000 of 2000 property tax revenues and for the subsequent fiscal years of 2001, 2002, 2003 and 2004 for recreational complex Extend RETT and retain revenues Ault Aurora Lump sum revenue change due to growth from fees Reduce property tax by 3 mills over next four years and retain property tax revenues up to the TABOR limit and de- Bruce sales and use tax revenue Collect, retain and spend excess property tax revenues Avon Lump sum revenue change for operation of new aquatic Four-year opt-out Basalt from all sources Bayfield Broad form revenue/spending authorization Collect, retain and expend from all sources; increase property tax mill levy 2% use-tax increase on the privilege of using/consuming in the town any construction and building materials purchased at retail outside the town and town be authorized to collect, retain and spend such revenues Bennett

2 Increase mill levy not to exceed 6.5 mills; collect, retain and spend Berthoud from all sources from all sources Bethune Black Hawk Four-year opt-out, with revenue authorization Blanca de-brucing of sales and use tax revenues, user fees, franchise fees, and non-federal grants Retain and spend all town revenues Blue River Boone Exempt revenues received from non-federal grants in 1997 and thereafter Boulder Broad form revenue/spending authorization Lump sum revenue change of $419,747 received in 1995 Retain and spend property tax for 2009 and beyond Bow Mar Breckenridge Lump sum revenue change in 1993 and subsequent years for marketing and promoting the town and its environs and special events and for capital projects for health, safety, and welfare Lump sum revenue changes commencing in 1994 Brighton from all sources Lump sum revenue change collection in 1994 for city's outdoor swimming pool and street overlays Permission to spend 1996 excess revenues on storm sewer facilities asking to retain and spend monies from non-federal grants and impact fees on capital projects for public purposes Lump sum revenue change of $965,000 for 1999 for street and bridge improvements Retain and spend all state and county grants, development impact fees, fees for services, urban renewal tax revenues, Peg channel capital contribution fees and intergovernmental transfers s from all sources

3 Brookside Retain excess revenues from state grants and from sales tax and property tax revenues for capital projects and other Retain excess revenues generated in 1998 and 1999 Broomfield Broad form revenue/spending authorization Brush Retain all excess revenue from all sources Buena Vista from all sources in , , 5 year Retain and spend town revenues in excess of state imposed limits, except property taxes Burlington Calhan from interest, sales and use taxes, nonfederal grants, franchise fees and payments in lieu of franchise fees, and taxes for police protection, snow removal, street sweeping, street construction, repair and maintenance, town lawns, trees, parks and recreation, and other basic services Campo Cañon City from grants from Royal Gorge Bridge Lump sum revenue change of $41,317 from 1995, earmarked for storm water drainage improvements Broad form revenue/spending authorization Retain $287,000 in excess revenues to build a roller hockey rink and youth oriented programs General de-brucing of 2002 revenues and all revenues thereafter de-brucing of FY 2001 revenue TABOR 10-year time out with district base re-established to 2019 base Extend retention to set to expire 1/1/20 to 1/1/30 Carbondale from sales tax, use tax, and property tax, through 2004 All revenue from all sources Castle Pines for roads and streets Castle Rock $2 million for 1994; $2.5 million for 1995; $3 million for 1996 from all sources approved October 1994) Broad form revenue/spending authorization

4 de-brucing to be used for open space Retain and expend revenues from recreation center/facilities Retain and expend revenues from 1) transportation development impact fees 2) use tax on construction & building materials Retain and spend all revenues collected in excess of TABOR limitations for a 5-year period, from 2004 to 2009, for police, fire, ambulance, transportation, parks, recreation, trails and open space Retain and expend up to $714,580 of excess 205 revenue for police, fire, emergency medical services, and transporation. Centennial Retain and spend tax revenues for a 4-year period commencing Feb. 7, 2001 Retain and spend all revenues, Center s from sales tax Central City Broad form revenue/spending authorization Cheraw Cherry Hills received in 1998 Village received in 1999 and thereafter Cheyenne Lump sum revenue change from state grants Wells Coal Creek Property Tax de-brucing, earmarking excess revenue for road improvements Cokedale Collbran from all sources Colorado $2,562,414 for 1993 Springs Lump sum revenue change for 1994 for street and drainage improvements, traffic safety, and congestion improvements Lump sum revenue change ($3.1 million in excess sales taxes), earmarked for traffic, road, drainage, and storm Authorization to spend excess revenue for 25 specific public improvement projects Exemption of state grants received by the city from fiscal year spending calculations (de-bruce)

5 Lump sum revenue change ($6.6 million for 1997) Lump sum revenue change ($790,000 for 1998) Retain revenues from grants from cable franchise Spend $1,557,631, estimated 2000 revenues above the 2000 FY spending limit for specific road improvements Existing sales and use tax used for trains, open space and parks Spend $1,900,000, estimated 2004 revenue above the 2004 FY spending limit to repair Prospect Lake Spend $1,200,000 above 2008 fiscal spending limit Retain up to $600,000 to provide road and bridge repairs Retain up to $2.1 million for park trail improvements TABOR limit waiver to allow revenue collected from existing taxes to be spent on storm water projects Columbine Authorization to retain 1997 excess revenues Valley Broad form revenue/spending authorization Commerce City ; funds to landscape and make drainage and roadway improvements Retain all excess revenue except from property taxes Retain excess revenues collected in 1999 for street projects Cortez Broad form revenue/spending authorization for capital improvement fund Craig Retain all excess revenues 1.25 percent increase in sales tax to support city operations and capital improvements/ 3.5% use tax Crawford All revenue from county and city sales tax All revenue from personal and real property for street Creede Crested Crestone Cripple Creek from all sources Crook Collect, retain & expend all revenues from all sources Crowley from non-federal grants Dacono $32,000 for 1993 from all sources, through 1998, earmarked for street improvement projects, capital projects, basic municipal services, and/or other lawful municipal purposes

6 DeBeque, earmarked for capital projects and other basic municipal services Fire Protection General Fund permitted to collect, retain & expend all revenues Deer Trail Lump sum revenue change for state grant (sewer) Broad form revenue/spending authorization De-bruce Del Norte Delta for public safety and from sales tax, use tax, non-federal grants, and recreation center Retain/expend full proceeds of revenues generated by the municipal court and retain $102,163 which would be refunded to the voters w/out revenue change, and earmark as a citizen s contribution to the youth sports complex Denver Retain and spend all revenues from 2005 De-Bruce municipal court, development fees, and business licenses commencing 2006 City's fees, charges and other sources related to the use of city facilities, municipal court Retain excess revenues from tax and non-tax sources, except property tax, for affordable housing and transportation improvement projects Retain and spend all city and county tax revenues in excess of the state limit for 10 fiscal years, beginning in 2005, for public safety, public works, parks & recreation, healthcare, libraries & other essential services. All excess revevue for police, fire, streets, library, parks, and childrens programs All 2014 revenues from special retail marijuana sales tax De-Bruce 2015 Pre-school tax revenue Dillon Lump sum revenue change Dinosaur, earmarked for capital improvements and other basic municipal services Dolores from all sources Dove Creek from all sources

7 Durango $700,000 in 1994 and all excess revenue until Dec. 31, Eads Lump sum revenue change for state grant (aviation) Eagle from state grants, sales tax, use tax, and property tax for capital projects and other basic municipal Eaton from all sources Eckley Edgewater Elizabeth De-Brucing of mill levies Empire $295,000 in grants for wastewater system $5,000 in grants for town hall restoration Lump sum revenue change (for 1996, no more than Englewood Erie from sales tax, use tax, and property tax Estes Park from all sources, for both the town and the urban renewal authority Evans Retain excess revenues, including the Estes Park Urban Renewal Authority, for community reinvestment purposes from sales and use tax, accommodations tax, non-federal grants, fees, and other revenues Fairplay Federal Broad form revenue/spending authority (sales tax) Heights Broad form revenue/spending authority (other revenues) from property taxes, licenses, fees, and permits, earmarked streets, capital projects, and other municipal purposes Firestone Lump sum revenue change, , not to exceed $125,000, for grant funds Flagler Fleming Florence for non-federal grants Retain and spend all excess TABOR revenues

8 Fort Collins Lump sum revenue change Fort Lupton Broad form revenue/spending authorization (water) Recreation enterprise & rec center receive, retain and spend all grants, gifts and income, whether from public spending, revenue raising or enterprise status income limitations Receive, retain and spend all excess city revenues Fort Morgan Broad form revenue/spending authorization Retain full amount of 1996 revenues and each year Fountain Authority to retain $37,448 in excess revenue Retain excess revenues collected in 1999 in the amount of $455,286 for trails, parks and open space Retain and spend excess TABOR revenues of $399,228 collected in 2000 for streets and Stormwater drainage Approval to retain excess revenues from 2001 through 2011 for parks and recreation programs Collect, retain and expend from all sources Authorization to retain revenue Retain and spend city revenues for economic development Retain and spend $53,145 from funds collected for baseball Retain and spend grants and other funds from state or other governmental entity Foxfield Mill levy - collect, retain and spend all property tax revenues Fraser $1 million for 1994 and subsequent years de-brucing for capital improvements Frederick from sales and use tax Retain and spend taxes, grants, property tax and all other Frisco from all sources through 2001 Retain all excess revenues Fruita Broad form revenue/spending authorization (three years) Lump sum revenue change for state grant (museum) Lump sum revenue change for state grant (sewer) for five-year capital improvements plan de-brucing of state grants for capital improvements de-brucing for capital improvements 6.

9 All grants and revenues for capital improvement plan through Dec. 31, 2018 Garden City from all sources Genoa Georgetown State grant revenue Gilcrest in 1995 and subsequent years Lump sum excess 1994 revenue Glendale Broad form revenue/spending authorization Broad form revenue/spending authorization from Retain and spend city revenues for public safety, municipal services, transportation, and other public recreational facilities Glenwood Springs from all sources $54 million bond for streets and bridges Golden Granada Granby $95,000 for 1994 and 1995 Retain and spend all revenues, notwithstanding limitations of TABOR and property tax revenue limit Grand, except property taxes Junction Collect, retain and spend all city revenues collected for Riverside Parkway Retain all revenues to pay for The Beltway street, sidewalk, path, and road improvements. Restructuring of Riverside Parkway Debt Repayment revenues to support construction of street improvements. Quarter cent sales tax to pay for an events center and other improvements to the Two River Convention Center Grand Lake from all sources Greeley $1 million for for new drainage utility Keep and spend all of.65% sales/use tax increase for streets of 2015 Green Greenwood Broad form revenue/spending authorization

10 Village Lump sum revenue change due to growth Grover Retain and spend from all sources for providing municipal services and capital improvements De-Bruce/retain and spend Gunnison s Gypsum from all sources Haswell Haxtun Hayden Hillrose Broad form revenue/spending authorization Holly Holyoke Lump sum revenue change for 1994 (airport) Hooper Authorization to collect and increase fiscal year spending for streets, capital improvements, and municipal services Hot Sulphur Hudson Lump sum revenue change of $13,000 from 1995 Fewer limits on revenue resources Hugo Idaho Four-year opt-out for street improvements Retain and spend excess TABOR and statutory excess revenues in for streets, water and sewer utilities and drainage All real and personal property taxes, sales tax, & state Retain all revenues and spend on streets, curbs and water & sewer facilities Ignacio Jamestown s from grants Johnstown Retain all excess revenues Julesburg

11 Keenesburg Kersey Excess revenue collected in 1997 (approx. $17,000) Kim Kiowa de-bruce sales and use tax and subdivision fees Lump sum revenue change of $21,773 Kit Carson Kremmling s from all sources La Jara Lump sum revenue change (1995, $16, La Junta Broad form revenue/spending authorization La Salle La Veta Lafayette Broad form revenue/spending authorization (general) Broad form revenue/spending authorization (franchise fee) All revenue from sales and use tax not dedicated to open space for library, police, and fire protection Broad form revenue/spending authorization for grants Retain excess revenues from sales, use, other excise taxes and other revenues (not including property taxes) Retain excess revenues from property tax Lake City from sales tax, use tax, and non-federal Lakeside General municipal tax revenue de-brucing de-brucing local government grants, specific ownership taxes, and other charges derived from municipal facilities (create reserve fund) Lakewood Revenues from proposed Stevenson annexation s in order to maintain city services Retain and spend for open space, grants for streets, public safety, parks, recreation and cultural opportunities Lamar from all sources Larkspur Excess revenue from non-federal grants, earmarked for debt service, municipal operation, and capital projects from sales and use tax, admissions tax, and non-federal grants 1994 through 1997 Broad form revenue/spending authorization

12 State grants for water and wastewater Collect, retain and spend sales tax from commercial development for water, sewer and roadways Las Animas Lump sum revenue change for state grant aviation) Broad form revenue/spending authorization from all sources for five years Broad form revenue/spending authorization Leadville for health, safety, and welfare with portion of revenue used to defray reduction in property taxes Retain, expend revenues for three years Continue to collect, retain and expend full amount of revenues generated from all sources, excluding property taxes and occupational license fees Keep and spend all revenues Retain and spend all revenues Limon Littleton received during 1994 and 1995 Retain and spend $244,000 for capital projects such as park acquisition and parking facilities Retain excess revenues received in 1999 ($2,705,754) and excess revenues received during 2000 and 2001 de-brucing revenues in FY 2002, 03, and 04 all excess revenue Retain and spend all 2007 revenue earmarked for paving, fire & school upgrades Keep and spend all 2016 revenue Adjust 2016 revenue for inflation/growth as base for future retention numbers Lochbuie Lump sum revenue change of $60,000 from 1994 Lump sum revenue change of $40,000 from 1995 Remove 5.5% limitation Log Lane

13 Village commencing 2014 and thereafter Lone Tree Longmont Louisville Excess revenue from sales and use taxes, earmarked for capital improvements, basic municipal services, or other lawful municipal purposes to be used for capital projects, municipal operations and services, and for any other lawful purposes Retain and spend excess TABOR and statutory limit revenue from city s property taxes for open space and other Loveland from capital expansion fees from all sources for the exclusive purposes of street construction and repair and youth programs Retain and spend excess TABOR revenues for a 10-year period for police, fire, streets, and parks Retain & spend all Loveland GID No. 1 revenues Retain & spend all Loveland revenue for 12 years until Dec. 21, 2024, for police and fire, streets, and parks. Lyons Lump sum revenue change for water and sewer from all sources Authority to spend grants for enterprises Mancos from all sources Manitou Springs Retain $58,000 from special retail marijuana sales tax Manzanola Marble Mead, earmarked for debt service, municipal operations, and capital projects Meeker Merino Retain and spend all revenue Retain and spend all revenue, earmarked for capital projects and other municipal services Collect, retain & spend all property tax revenue Authority to accept $359,625 state grant to improve sewer treatment system

14 Authority to accept $100,000 state grant to construct community center, with maintenance to be paid from town revenue Milliken Excess revenue from payments from real estate Retain and spend excess TABOR revenues Retain and spend excess revenue for town hall and police stations Minturn Excess revenue from all sources except property tax Revenue/spending authorization for property tax revenues Moffat Monte Vista Lump sum revenue change from county sales tax Montezuma Montrose Monument Retain and spend excess on street improvements Lump sum revenue change from 1994 sales/use taxes for water system improvements and street construction/reconstruction $300,000 for 1995 Excess revenue from sales and use tax and non-federal grants generated during 1996 Collect, retain and expend from all sources Retain and spend sales tax revenues on renovation of a police/ governmental facility complex. Collect, retain & spend all sources of revenue during FY All revenue through 2015 for town parks, recreation, and senior services from all sources Morrison Lump sum revenue change from grants (town hall Mountain from all sources View Retain revenues from retail marijuana sales tax Mt. Crested Butte from sales and use tax and other sources other than municipal taxes

15 DeBruce revenues from Capital Improvement Fund Naturita Voter approved revenue change for 24-hour medical care Voter approved revenue change for continuing 1% 24-hour Voter approved revenue change for 3% lodging tax to be Nederland from grants from sales and use taxes from development fees from 1994 to pay debt prior to Feb. 1, to pay debt/financial obligations of the town in excess of scheduled payments of debt existing Feb. for purpose of purchasing open space to be used for capital projects Retain $800,000 state grant funds for town maintenance Retain all revenue New Castle from sales tax, use tax, and state grants Northglenn from all sources Allow city to use existing money for financing and constructing of water supply and storage projects Norwood from all sources Nucla Nunn s from town's fees and revenues and nonfederal grants Oak Creek Broad form revenue/spending authorization Olathe Excess revenue from 3% sales tax, 1% use tax, and nonfederal grants Olney Ordway from all sources Otis Ouray Pagosa Springs from sales tax, lodging tax, and nonfederal grants commencing 2007 and thereafter s commencing 2015 and thereafter from all sources Palisade Excess revenue from state grants, sales and use tax, Palmer Lake Lump sum revenue change for 1993 (capital improvements)

16 s for 1994 (capital improvements) Lump sum revenue change (1995, approx. $77,000), 1996 only Authorization to retain 1997 excess revenues for street repairs and improvements Authorization to retain 1998 excess revenues for street construction and reconstruction and water system improvements for capital improvements for 5-year period Lump sum revenue change of $88,235 de-bruce future revenues Retain and expend for capital improvements Retain and expend excess rev. for police, fire and roads Retain and expend excess rev. for lake rehabilitation Collect, retain and expend full revenues from all sources in 2012 for building maintenance, parking, sidewalks, roads, parks and water supplies Collect, retain and expend full revenues from all sources in 2013 for building maintenance, parking, sidewalks, roads, parks and water supplies Collect, retain and expend full revenues from all sources in 2014, 2015, 2016 and 2017 for building maintenance, parking, sidewalks, roads, parks and water supplies Permanent debrucing all revenues Paoli Paonia s Retain and spend excess property taxes for law enfrocement, road and bridge improvements, public health and human services Parachute Parker Lump sum revenue change for 1994 and 1995 from state grants (sewer system) Broad form revenue/spending authorization All revenue from sales and use tax, building fees, and recreation center user fees de-brucing of ad valorem property tax mill levy

17 Pierce Platteville All revenues collected in 1994 Poncha Springs De-Bruce all revenue except property tax beginning 2002 Retain and spend excess revenues from 2000 & 2001 Pueblo Reduce vendors fee and earmark revenue for convention Lump sum revenue change due to 1993 excess Lump sum revenue change for state grant bridge) Lump sum revenue change for 1994 for fire and police emergency vehicles, storm drainage, and roadway improvements Lump sum revenue change of $1,453,392 from 1995, earmarked for police, fire, and/or street improvements Broad form revenue/spending authorization for Collect, retain and expend from all sources Collect, retain & expend $17,000,000 aggregate of new revenues received or collected during fiscal year 2005 & subsequent years from Xcel Energy after annexation of its Rangely Raymer Red Cliff Authorization to increase revenue and spending for by $5,550,000 for sewer collection & treatment system Rico $160,000 from state grants from all sources through 1997 Ridgway All revenue from sales and use tax Rifle $1 million from non-federal grants and $750,000 from other sources for the years 1993 through 2007 generated in 1994 and each subsequent year Rockvale Lump sum revenue change Lump sum revenue change Rocky Ford

18 Romeo Rye Collect and expend for municipal operations and capital projects Saguache de-brucing of property tax revenues Salida Broad form revenue/spending authorization Keep and spend all revenues Sanford Sawpit from all sources Sedgwick Revenue de-brucing. Seibert Severance Sheridan during 1996, 1997, 1998, and 1999 ; approval for city to use excess proceeds of general obligation bonds to build a city hall and other administrative facilities Sheridan Silt $275,000 in grants for irrigation system Silverthorne from all sources and reduce property taxes to zero 1994 through 2013 Lump sum revenue change from all sources and reduce property taxes to zero, except to fulfill contractual obligations relating to G.O. bonds, 1994 through 2013 s Silverton Simla Snowmass $660,000 for employee housing Village de-brucing revenues from town's real estate transfer tax South Fork, to be spent on affordable housing construction and acquisition of lands Excess revenue from sales tax, non-federal grants, license, or any other state-authorized fees effective Jan. 1, 1996 Springfield

19 Steamboat from proposed golf course Springs Sterling from all sources Stratton Sugar City Superior Retain excess revenue, except property tax revenue Swink Telluride from all sources Thornton Broad form revenue/spending authorization for Timnath Trinidad Excess revenue collected in 1994 Vail Broad form revenue/spending authorization Collect, retain, expend property tax revenues Victor from gaming tax and grants Vilas Vona Walden Lump sum revenue change Excess revenue from water, sewer, gas, and solid waste utilities investment earnings 1995 through 2035 Walsenburg Watkins de-bruce Wellington Westcliffe Westminster Broad form revenue/spending authorization (admiss. tax) $5 million for 1995 and subsequent years from parks and open space sales tax Excess revenue from sales and use tax, admissions tax, and accommodations tax, and any revenues used by the city to fund construction of capital improvements Excess revenue collected in 1994 Broad form revenue/spending authorization (revenue from rents, profit-sharing and other forms of payment General de-brucing Wheat Ridge Lump sum revenue change of $399,337 from 1996 Lump sum excess 1996 revenues on construction and operation of a recreation center

20 Retain $477,313 in revenue to spend on acquisition and maintenance of open space Retain $54,409 for parks and recreation Wiggins to be used for street repair and maintenance, police protection, snow removal, and other All excess property tax revenue generated from mill levy Wiley Williamsburg s Windsor Broad form revenue/spending authorization to be used for new parks acquisition and development De-Bruce road impact fee Retain and spend all revenues for police, parks & rec., and other capital improvement projects. Winter Park from all sources, except property tax Woodland from all sources Wray Yampa Yuma TOTALS* Pass CUMULATIVE TOTALS: PASS 487 FAIL 77 TOTAL 564 (86.3% approval rate) Fail Totals

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